Nākamais sadalījums ilustrē nozīmīgās zaudējumu summas, kuras esat norādījis, pamatojoties uz pašreizējiem tirgus datiem, kas ir spēkā 2026. gada 18. februārī:
$FIL (Filecoin): Iegādāts par 60 USD, tagad tirgojas aptuveni par 0.96 USD. Tas nozīmē zaudējumus vairāk nekā 98%.
$OP (Optimism): Iegādāts par 3 USD, tagad tirgojas aptuveni par 0.17 USD. Tas nozīmē zaudējumus vairāk nekā 94%.
$SOLV (Solv Protocol): Iegādāts par 0.1 USD, tagad tirgojas aptuveni par 0.005 USD. Tas nozīmē zaudējumus vairāk nekā 95%.
$ORDI: Iegādāts par 80 USD, tagad tirgojas aptuveni par 3 USD. Tas nozīmē zaudējumus vairāk nekā 96%.
$Palu: Iegādāts par 0.0045 USD, tagad tirgojas aptuveni par 0.00005 USD. Tas nozīmē zaudējumus vairāk nekā 98%.
Lai arī ietekmētāji bieži apgalvo, ka "spot tirdzniecība ir droša", jo jūs netiekat likvidēts, šie skaitļi parāda, ka turēšana caur masveida kritumu var novest pie gandrīz pilnīgas kapitāla iznīcināšanas.
The market sentiment is shifting as Bitcoin faces intense pressure. While we’ve seen a recent bounce above $72,000, several analysts and technical patterns suggest the "real bottom" might not be in yet.
The $60K Magnet: A "bear flag" pattern on the daily chart points toward the $60,000 psychological level if the current support at $64,500 fails to hold.
Extreme Fear: The Fear & Greed Index has plummeted to "Extreme Fear" (scoring as low as 14/15), often a precursor to a final shakeout before a true recovery.
Macro Headwinds: Rising global tensions and U.S. dollar strength (DXY) continue to pressure high-risk assets, leading some prediction markets to price in a 28% chance of hitting $60K before month-end.
Strategy: Watch for a clean break below $63,000. If that goes, the $58k–$60k "Accumulation Zone" becomes the primary target for smart money.
🗳️ Market Sentiment Check: Are we Bottomed? Content: We just saw a massive volume spike on $BTC and $ETH . Usually, this signifies either a final capitulation or a strong accumulation zone.My "Moving Average" indicator says we are in the "Buy the Dip" zone, but I want to hear from the Square community. Question: If you had SOL 🚀 B) Accumulate $ETH 💎 C) Wait for lower entries ⏱️Vote below and I’ll share my detailed K-line breakdown of the winning coin tomorrow!
🔄 Augsta Līdzības Arbitrāža: Iegūstot no ETH/SOL Starpības Saturs: Tirdzniecība nav tikai par "Augšu vai Leju." Tā ir par relatīvo spēku. Pašlaik korelācija starp $ETH un $SOL ir 0.85. Tomēr, SOL pašlaik ir pārspīlēts attiecībā pret ETH 1H laika posmā. Stratēģija: Garā ETH / Īsā SOL (Neitrāls Delta) Mērķis: Vidējā atgriešanās starpībā. Risks: 1.5% stop-loss uz pāra novirzi. Tā ir mūsu veids, kā palikt izdevīgiem pat sānu tirgū. Stratēģijas detaļas zemāk esošajā diagrammā. 📉
$BTC Open Interest Spikes As Bulls Target 80KWhich alts could benefit most?
If Open Interest is spiking while BTC pushes toward $80K, that usually signals aggressive positioning and rising leverage. The key question isn’t just which alts pump — it’s which ones absorb fresh capital first.
Here’s how the rotation typically plays out High-Beta Large Caps (First Movers)
These usually react first when BTC momentum is strong and funding stays healthy:
40% of Altcoins Near Cycle Lows - Liquidity Stays in BTC$BTC & ETH$ETH
On-chain data shows nearly 40% of altcoins trading close to all-time lows - the deepest pullback of this cycle. Unlike the FTX collapse, this isn’t panic-driven. No mass liquidations. No systemic distress. Instead: • Thin liquidity • Reduced risk appetite • Capital concentration in $BTC & $ETH
Bitcoin holding above ~$65–68K is reinforcing dominance, while altcoins remain suppressed.
Some analysts argue this compression phase could precede a new alt cycle - especially if liquidity rotates out of majors.
Key macro variable: PMI > 50 (economic expansion) historically supports altcoin rallies due to rising risk appetite.
For now. • BTC stable • ETH holding structure • Smaller caps starved of liquidity
This isn’t fear-driven capitulation. It’s capital consolidation. Rotation will decide the next phase.
📊 ETH vs. SOL: Which One Leads the Next Leg Up? Content: The divergence is clear. While $ETH is testing the 20-day EMA support, $SOL is showing a stronger RSI recovery on the 4H chart.Key Levels: ETH: Needs to hold $2000 to avoid a fakeout. SOL: Breaking resistance at $ [Insert Price] could trigger a 5% scalp opportunity. I’m leaning towards SOL for short-term momentum, but ETH for the macro hedge. What’s your play for the New York session? Let’s discuss in the comments. 👇
$FORM showing signs of exhaustion after strong pump. Plan – Short $FORM Entry: 0.273 – 0.280 SL: 0.300 TP1: 0.250 TP2: 0.230 Price pumped from 0.18 to 0.299 (around 65% move). After touching 0.299, it faced strong rejection and now moving sideways with lower highs. This shows buyers are losing strength near resistance. If price stays below 0.280 and fails to break 0.300 again, downside pressure can increase. From 0.275 to 0.230 is about 0.045 move, while risk to 0.300 is about 0.025. That gives nearly 1:1.8 risk-reward. As long as price remains under 0.300 resistance, short setup remains valid. $FORM
🔥🚨 BREAKING UPDATE FROM IRANIAN MEDIA 🇮🇷🇸🇦 $ARC $SIREN $HIPPO Iranian media outlets are reporting a stark warning: if any Arab nation launches a military strike against Iran, Tehran would respond by targeting the ruling leaders’ palaces of the attacking country. The message is being framed as a serious deterrent aimed at preventing broader regional involvement in the conflict. If accurate, this rhetoric marks a sharp escalation. Explicitly referencing leadership residences goes beyond conventional military targets and signals a readiness to expand retaliation toward highly symbolic and politically sensitive sites—raising the perceived personal and political costs of engagement. That said, statements circulated during periods of heightened tension can be amplified for psychological effect. Media narratives do not always reflect official policy, which may be more restrained behind the scenes. For now, this appears to be a forceful warning rather than confirmation of immediate action. Still, in an already fragile regional climate, such language alone can fuel anxiety and increase the risk of miscalculation. The critical question remains: is this purely pressure tactics, or a signal that the conflict is entering a more dangerous phase? 🌍⚖️🔥 #MiddleEastTensions #Geopolitics #breakingnews #GlobalSecurity
🚨JUST IN: RUSSIA WARNS U.S. OIL IMPORTS FROM VENEZUELA WORTH $100 B COULD SHIFT GLOBAL POWER AND AFFECT RUSSIA & IRAN’S STANCE AGAINST UKRAINE AND ISRAEL 🇷🇺🇺🇸🇻🇪🇮🇷 $SIREN $PHA $FORM